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maritime transport", "langIdentifier": "ENG", "mtypes": "fmx4,html,pdfa1b,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1986-12-22", "subjects": "approval of tariffs,common transport policy,freight rate,maritime transport", "workIds": "celex:31986R4057,oj:JOL_1986_378_R_0014_01", "eurovoc_concepts": ["approval of tariffs", "common transport policy", "freight rate", "maritime transport"], "url": "http://publications.europa.eu/resource/cellar/2c6dcadf-f681-495a-a37d-92d2297f7a48", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1986378EN. 01001401. xml\n\n\n\n\n\n\n\n\n\n\n31. 12. 1986\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 378/14\n\n\n\n\n\nCOUNCIL REGULATION (EEC) No 4057/86\nof 22 December 1986\non unfair pricing practices in maritime transport\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 84 (2) thereof,\nHaving regard to the draft Regulation submitted by the Commission,\nHaving regard to the opinion of the European Parliament\u00a0(1),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(2),\nWhereas there is reason to believe, inter alia on the basis of the information system set up by Council Decision 78/774/EEC\u00a0(3), that the competitive participation of Community shipowners in international liner shipping is adversely affected by certain unfair practices of shipping lines of third countries;\nWhereas the structure of the Community shipping industry is such as to make it appropriate that the provisions of this Regulation should also apply to nationals of Member States established outside the Community or cargo shipping companies established outside the Community and controlled by nationals of Member States, if their ships are registered in a Member State in accordance with its legislation;\nWhereas such unfair practices consist of continuous charging of freight rates for the transport of selected commodities which are lower than the lowest freight rates charged for the same commodities by established and representative shipowners;\nWhereas such pricing practices are made possible by non-commercial advantages granted by a State which is not a member of the Community;\nWhereas the Community should be able to take redressive action against such pricing practices;\nWhereas there are no internationally agreed rules as to what constitutes an unfair price in the maritime transport field;\nWhereas, in order to determine the existence of unfair pricing practices, provision should therefore be made for an appropriate method of calculation; whereas when calculating the \u2018normal freight rate\u2019 account should be taken of the comparable rate actually charged by established and representative companies operating within or outside conferences or otherwise of a constructed rate based on the costs of comparable companies plus a reasonable margin of profit;\nWhereas appropriate factors relevant for the determination of injury should be laid down;\nWhereas it is necessary to lay down the procedures for those acting on behalf of the Community shipping industry who consider themselves injured or threatened by unfair pricing practices to lodge a complaint; whereas it seems appropriate to make it clear that in the case of withdrawal of a complaint, proceedings may, but need not necessarily, be terminated;\nWhereas there should be cooperation between the Member -States and the Commission both as regards information about the existence of unfair pricing practices and injury resulting therefrom, and as regards the subsequent examination of the matter at Community level; whereas, to this end, consultations should take place within an Advisory Committee;\nWhereas it is appropriate to lay down clearly the rules of procedure to be followed during the investigation, in particular the rights and obligations of the Community authorities and the parties involved, and the conditions under which interested parties may have access to information and may ask to be informed of the principal facts and considerations on the basis of which it is intended to propose the introduction of a redressive duty;\nWhereas, in order to discourage unfair pricing practices, but without preventing, restricting or distorting price competition by non-conference lines, providing that they are working on a fair and commercial basis, it is appropriate to provide, in cases where the facts as finally established show that there is an unfair pricing practice and injury, for the possibility of imposing redressive duties on particular grounds;\nWhereas it is essential, in order to ensure that redressive duties are levied in a correct and uniform manner, that common rules for the application of such duties be laid down; whereas, by reason of the nature of the said duties, such rules may differ from the rules for the levying of normal import duties;\nWhereas open and fair procedures should be provided for the review of measures taken and for the investigation to be reopened when circumstances so require;\nWhereas appropriate procedures should be established for examining applications for refund of redressive duties,\nHAS ADOPTED THIS REGULATION:\nArticle 1\nObjective\nThis Regulation lays down the procedure to be followed in order to respond to unfair pricing practices by certain third country shipowners engaged in international cargo liner shipping, which cause serious disruption of the freight pattern on a particular route to, from or within the Community and cause or threaten to cause major injury to Community shipowners operating on that route and to Community interests. Article 2\nIn response to unfair pricing practices as described in Article 1 which cause major injury, a redressive duty may be applied by the Community. A threat of major injury may only give rise to an examination within the meaning of Article 4. Article 3\nFor the purposes of this Regulation:\n\n\n\n\n\n\n(a)\n\n\n\u2018third country shipowner\u2019 means cargo liner shipping companies other than those mentioned under (d);\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\n\u2018unfair pricing practices\u2019 means the continuous charging on a particular shipping route to, from or within the Community of freight rates for selected or all commodities which are lower than the normal freight rates charged during a period of at least six months, when such lower freight rates are made possible by the fact that the shipowner concerned enjoys non-commercial advantages which are granted by a State which is not a member of the Community;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe \u2018normal freight rate\u2019 shall be determined taking into account:\n\n\n\n\n\n\n(i)\n\n\nthe comparable rate actually charged in the ordinary course of shipping business for the like service on the same or comparable route by established and representative companies not enjoying the advantages in (b);\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\nor otherwise the constructed rate which is determined by taking the costs of comparable companies not enjoying the advantages in (b) plus a reasonable margin of profit. This cost shall be computed on the basis of all costs incurred in the ordinary course of shipping business, both fixed and variable, plus a reasonable amount for overhead expenses. (d)\n\n\n\u2018Community shipowners\u2019 means:\n\n\n\n\n\n\n\u2014\n\n\nall cargo shipping companies established under the Treaty in a Member State of the Community;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nnationals of Member States established outside the Community or cargo shipping companies established outside the Community and controlled by nationals of Member States, if their ships are registered in a Member State in accordance with its legislation. Article 4\nExamination of injury\n1. Examination of injury shall cover the following factors:\n\n\n\n\n\n\n(a)\n\n\nthe freight rates offered by Community shipowners' competitors on the route in question, in particular in order to determine whether they have been significantly lower than the normal freight rate offered by Community shipowners, taking into account the level of service offered by all the companies concerned;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe effect of the above factor on Community shipowners as indicated by trends in a number of economic indicators such as:\n\n\n\n\n\n\n\u2014\n\n\nsailings,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nutilization of capacity,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\ncargo bookings,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nmarket share,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nfreight rates (that is depression of freight rates or prevention of freight rate increases which would normally have occurred),\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nprofits,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nreturn of capital,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\ninvestment,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nemployment. 2. Where a threat of injury is alleged, the Commission may also examine whether it is clearly foreseeable that a particular situation is likely to develop into actual injury. In this regard, account may also be taken of factors such as:\n\n\n\n\n\n\n(a)\n\n\nthe increase in tonnage deployed on the shipping route where the competition with Community shipowners is taking place;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe capacity which is already available or is to become available in the foreseeable future in the country of the foreign shipowners and the extent to which the tonnage resulting from that capacity is likely to be used on the shipping route referred to in (a). 3. Injury caused by other factors which, either individually or in combination, are also adversely affecting Community shipowners must not be attributed to the practices in question. Article 5\nComplaint\n1. Any natural or legal person, or any association not having legal personality, acting on behalf of the Community shipping industry who consider themselves injured or threatened by unfair pricing practices may lodge a written complaint. 2. The complaint shall contain sufficient evidence of the existence of the unfair pricing practice and injury resulting therefrom. 3. The complaint may be submitted to the Commission, or a Member State, which shall forward it to the Commission. The Commission shall send Member States a copy of any complaint it receives. 4. The complaint may be withdrawn, in which case proceedings may be terminated unless such termination would not be in the interest of the Community. 5. Where it becomes apparent after consultation that the complaint does not provide sufficient evidence to justify initiating an investigation, then the complainant shall be so informed. 6. Where, in the absence of any complaint, a Member State is in possession of sufficient evidence both of unfair pricing practices and of injury resulting therefrom for Community shipowners, it shall immediately communicate such evidence to the Commission. Article 6\nConsultations\n1. Any consultations provided for in this Regulation shall take place within an Advisory Committee, which shall consist of representatives of each Member State, with a representative of the Commission as Chairman. Consultations shall be held immediately on request by a Member State or on the initiative of the Commission. 2. The Committee shall meet when convened by its Chairman. He shall provide the Member States, as promptly as possible, with all relevant information. 3. Where necessary, consultation may be in writing only; in such case the Commission shall notify the Member States and shall specify a period within which they shall be entitled to express their opinions or to request an oral consultation. 4. Consultation shall in particular cover:\n\n\n\n\n\n\n(a)\n\n\nthe existence of unfair pricing practices and the amount thereof;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe existence and extent of injury;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe causal link between the unfair pricing practices and injury;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe measures which, in the circumstances, are appropriate to prevent or remedy the injury caused by unfair pricing practices and the ways and means for putting such measures into effect. Article 7\nInitiation and subsequent investigation\n1. Where, after consultation, it is apparent that there is sufficient evidence to justify initiating a proceeding the Commission shall immediately:\n\n\n\n\n\n\n(a)\n\n\nannounce the initiation of a proceeding in the Official Journal of the European Communities; such announcements shall indicate the foreign shipowner concerned and his country of origin, give a summary of the information received, and provide that all relevant information is to be communicated to the Commission; it shall state the period within which interested parties may make known their views in writing and may apply to be heard orally by the Commission in accordance with paragraph 5;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nso advise the shipowners, shippers and freight forwarders known to the Commission to be concerned and the complainants;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\ncommence the investigation at Community level, acting in cooperation with the Member States; such investigation shall cover both unfair pricing practices and injury resulting therefrom and shall be carried out in accordance with paragraphs 2 to 8; the investigation of unfair pricing practices shall normally cover a period of not less than six months immediately prior to the initiation of the proceeding. 2. (a)\n\n\nWhere appropriate the Commission shall seek all the information it deems necessary and attempt to chheck this information with the shipowners, agents, shippers, freight forwarders, conferences, associations and other organizations, provided that the undertakings or organizations concerned give their consent. (b)\n\n\nWhere necessary the Commission shall, after consultation, carry out investigations in third countries, provided that the firms concerned give their consent and the government of the country in question has been officially notified and raises no objection. The Commission shall be assisted by officials of those Member States which so request. 3. (a)\n\n\nThe Commission may request Member States:\n\n\n\n\n\n\n\u2014\n\n\nto supply information,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nto carry out all necessary checks and inspections, particularly amongst shippers, freight forwarders, Community shipowners and their agents,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nto carry out investigations in third countries, provided the firms concerned give their consent and the government of the country in question has been officially notified and raises no objection. (b)\n\n\nMember States shall take whatever steps are necessary in order to give effect to requests from the Commission. They shall send to the Commission the information requested together with the results of all inspections, checks or investigations carried out. (c)\n\n\nWhere this information is of general interest or where its transmission has been requested by a Member State, the Commission shall forward it to the Member States provided it is not confidential, in which case a non-confidential summary shall be forwarded. (d)\n\n\nOfficials of the Commission shall be authorized, if the Commission or a Member State so requests, to assist the officials of Member States in carrying out their duties. 4. (a)\n\n\nThe complainant and the shippers and shipowners known to be concerned may inspect all information made available to the Commission by any party to an investigation as distinct from internal documents prepared by the authorities of the Community or its Member States provided that it is relevant to the defence of their interests and not confidential within the meaning of Article 8 and that it is used by the Commission in the investigation. To this end, they shall address a written request to the Commission, indicating the information required. (b)\n\n\nShipowners subject to investigation and the complainant may request to be informed of the essential facts and considerations on the basis of which it is intended to recommend the imposition of redressive duties. (c)\n\n\n\n\n\n\n\n\n(i)\n\n\nRequests for information pursuant to (b) shall:\n\n\n\n\n\n\n\u2014\n\n\nbe addressed to the Commission in writing,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nspecify the particular issues on which information is sought. (ii)\n\n\nThe information may be given either orally or in writing, as considered appropriate by the Commission. It shall not prejudice any subsequent decision which may be taken by the Council. Confidential information shall be treated in accordance with Article 8. (iii)\n\n\nInformation shall normally be given no later than 15 days prior to the submission by the Commission of any proposal for action pursuant to Article 11. Representations made after the information is given may be taken into consideration only if received within a period to be set by the Commission in each case, which shall be at least 10 days, due consideration being given to the urgency of the matter. 5. The Commission may hear the interested parties. It shall so hear them if they have, within the periods prescribed in the notice published in the Official Journal of the European Communities, made a written request for a hearing showing that they are an interested party likely to be affected by the result of the proceeding and that there are particular reasons why they should be given a hearing. 6. Furthermore, the Commission shall, on request, give the parties directly concerned an opportunity to meet, so that opposing views may be presented and any argument put forward by way of rebuttal. In providing this opportunity the Commission shall take account of the need to preserve confidentiality and of the convenience of the parties. There shall be no obligation on any party to attend a meeting and failure to do so shall not be prejudicial to that party's case. 7. (a)\n\n\nThis Article shall not preclude the Council from reaching preliminary determinations or from applying measures expeditiously. (b)\n\n\nIn cases in which any interested party refuses access to, or otherwise does not provide, necessary information within a reasonable period, or significantly impedes the investigation, findings, affirmative or negative, may be made on the basis of the facts available. 8. Proceedings on unfair pricing practices shall not constitute a bar to customs clearance of the goods to which the freight rates concerned apply. 9. (a)\n\n\nAn investigation shall be concluded either by its termination or by action pursuant to Article 11. Conclusion should normally take place within one year of the initiation of the proceeding. (b)\n\n\nA proceeding shall be concluded either by the termination of the investigation without the imposition of duties and without the acceptance of undertakings or by the expiry or repeal of such duties or by the lapse of undertakings in accordance with Articles 14 or 15. Article 8\nConfidentiality\n1. Information received in pursuance of this Regulation shall be used only for the purpose for which it was requested. 2. (a)\n\n\nNeither the Council, nor the Commission, nor Member States, nor the officials of any of these, shall reveal any information received in pursuance of this Regulation of which confidential treatment has been requested by its supplier, without specific permission from the supplier. (b)\n\n\nEach request for confidential treatment shall indicate why the information is confidential and shall be accompanied by a non-confidential summary of the information, or a statement of the reasons why the information is not susceptible of such summary. 3. Information will ordinarily be considered to be confidential if its disclosure is likely to have a significantly adverse effect upon the supplier or the source of such information. 4. However, if it appears that a request for confidentiality is not warranted and if the supplier is either unwilling to make the information public or to authorize its disclosure in generalized or summary form, the information in question may be disregarded. The information may also be disregarded where such request is warranted and where the supplier is unwilling to submit a non-confidential summary, provided that the information is susceptible of such summary. 5. This Article shall not preclude the disclosure of general information by the Community authorities and in particular of the reasons on which decisions taken in pursuance of this Regulation are based, or disclosure of the evidence relied on by the Community authorities insofar as necessary to explain those reasons in court proceedings. Such disclosure must take into account the legitimate interest of the parties concerned that their business secrets should not be divulged. Article 9\nTermination of proceedings where protective measures are unnecessary\n1. If it becomes apparent after consultation that protective measures are unnecessary, then, where no objection is raised within the Advisory Committee referred to in Article 6 (1), the proceeding shall be terminated. In all other cases the Commission shall submit to the Council forthwith a report on the results of the consultation, together with a proposal that the proceeding be terminated. The proceeding shall stand terminated if, within one month, the Council, acting by a qualified majority, has not decided otherwise. 2. The Commission shall inform the parties known to be concerned and shall announce the termination in the Official Journal of the European Communities setting forth its basic conclusions and a summary or the reasons therefor. Article 10\nUndertakings\n1. Where, during the course of investigation, undertakings are offered which the Commission, after consultation, considers acceptable, the investigation may be terminated without the imposition of redressive duties. Save in exceptional circumstances, undertakings may not be offered later than the end of the period during which representations may be made under Article 7 (4) (c) (iii). The termination shall be decided in conformity with the procedure laid down in Article 9 (1) and information shall be given and notice published in accordance with Article 9 (2). 2. The undertakings referred to under paragraph 1 are those under which rates are revised to an extent such that the Commission is satisfied that the unfair pricing practice, or the injurious effects thereof, are eliminated. 3. Undertakings may be suggested by the Commission, but the fact that such undertakings are not offered or an invitation to do so is not accepted, shall not prejudice consideration of the case. However, the continuation of unfair pricing practices may be taken as evidence that a threat of injury is more likely to be realized. 4. If the undertakings are accepted, the investigation of injury shall nevertheless be completed if the Commission, after consultation, so decides or if request is made by the Community shipowners concerned. In such a case, if the Commission, after consultation, makes a determination of no injury, the undertaking shall automatically lapse. However, where a determination of no threat of injury is due mainly to the existence of an undertaking, the Commission may require that the undertaking be maintained. 5. The Commission may require any party from whom an undertaking has been accepted to provide periodically information relevant to the fulfilment of such undertakings, and to permit verification of pertinent data. Non-compliance with such requirements shall be construed as a violation of the undertaking. Article 11\nRedressive duties\nWhere investigation shows that there is an unfair pricing practice, that injury is caused by it and that the interests of the Community make Community intervention necessary, the Commission shall propose to the Council, after the consultations provided for in Article 6, that it introduce a redressive duty. The Council, acting by a qualified majority, shall take a Decision within two months. Article 12\nIn deciding on the redressive duties, the Council shall also take due account of the external trade policy considerations as well as the port interests and the shipping policy considerations of the Member States concerned. Article 13\nGeneral provisions on duties\n1. Redressive duties shall be imposed on the foreign shipowners concerned by regulation. 2. Such regulation shall indicate in particular the amount and type of duty imposed, the commodity or commodities transported, the name and the country of origin of the foreign shipowner concerned and the reasons on which the Regulation is based. 3. The amount of the duties shall not exceed the difference between the freight rate charged and the normal freight rate referred to in Article 3 (c). It shall be less if such lesser duty would be adequate to remove the injury. 4. (a)\n\n\nDuties shall be neither imposed nor increased with retroactive effect and shall apply to the transport of commodities which, after entry into force of such duties, are loaded or discharged in a Community port. (b)\n\n\nHowever, where the Council determines that an undertaking has been violated or withdrawn, the redressive duties may be imposed, on a proposal from the Commission, on the transport of commodities which were loaded or discharged in a Community port not more than 90 days prior to the date of application of these duties, except that in the case of violation or withdrawal of an undertaking such retroactive assessment shall not apply to the transport of commodities which were loaded or discharged in a Community port before the violation or withdrawal. These duties may be calculated on the basis of the facts established before the acceptance of the undertaking. 5. Duties shall be collected by Member States in the form, at the rate and according to the other criteria laid down when the duties were imposed, and independently of the customs duties, taxes and other charges normally imposed on imports of goods transported. 6. Permission to load or discharge cargo in a Community port may be made conditional upon the provision of security for the amount of the duties. Article 14\nReview\n1. Regulations imposing redressive duties and decisions to accept undertakings shall be subject to review, in whole or in part, where warranted. Such review may be held either at the request of a Member State or on the initiative of the Commission. A review shall also be held where an interested party so requests and submits evidence of changed circumstances sufficient to justify the need for such review, provided that at least one year has elapsed since the conclusion of the investigation. Such requests shall be adressed to the Commission, which shall inform the Member States. 2. Where, after consultation, it becomes apparent that review is warranted, the investigation shall be re-opened in accordance with Article 7, where the circumstances so require. Such reopening shall not per se affect the measures in operation. 3. Where warranted by the review, carried out either with or without reopening of the investigation, the measures shall be amended, repealed or annulled by the Community institution competent for their adoption. Article 15\n1. Subject to paragraph 2, redressive duties and undertakings shall lapse after five years from the date on which they entered into force or were last amended or confirmed. 2. The Commission shall normally, after consultation and within six months prior to the expiry of the five year period, publish in the Official journal of the European Communities a notice of the impending expiry of the measure in question and inform Community shipowners known to be concerned. This notice shall state the period within which interested parties may make known their views in writing and may apply to be given a hearing by the Commission in accordance with Article 7 (5). Where an interested party shows that the expiry of the measure would again lead to injury or threat of injury, the Commission shall carry out a review of the measure. The measure shall remain in force pending the outcome of this review. Where redressive duties and undertakings lapse under this Article the Commission shall publish a notice to that effect in the Official Journal of the European Communities. Article 16\nRefund\n1. Where the shipowner concerned can show that the duty collected exceeds the difference between the freight rate charged and the normal freight rate referred to in Article 3 (c) the excess amount shall be reimbursed. 2. In order to request the reimbursement referred to in paragraph 1, the foreign shipowner may submit an application to the Commission. The application shall be submitted via the Member State within the territory of which the commodities transported were loaded or discharged and within three months of the date on which the amount of the redressive duties to be levied was duly determined by the competent authorities. The Member State shall forward the application to the Commission as soon as possible, either with or without an opinion as to its merits. The Commission shall inform the other Member States forthwith and give its opinion on the matter. If the Member States agree with the opinion given by the Commission or do not object to it within one month of being informed, the Commission may decide in accordance with the said opinion. In all other cases, the Commission shall, after consultation, decide whether and to what extent the application should be granted. Article 1 7\nFinal provisions\nThis Regulation shall not preclude the application of any special rules laid down in agreements concluded between the Community and third countries. Article 18\nEntry into force\nThis Regulation shall enter into force on 1 July 1987. This Regulation shall be binding in its entirety and directly applicable in all Member States. Done at Brussels, 22 December 1986. For the Council\n\n\nThe President\n\nG. SHAW\n\n\n\n\n(1)\u00a0\u00a0OJ No C 255, 15. 10. 1986, p. 169. (2)\u00a0\u00a0OJ No C 344, 31. 12. 1985, p. 31. 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"http://publications.europa.eu/resource/cellar/49fef214-c673-42c5-a891-35c9ff5253aa", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1986384EN. 01005201. xml\n\n\n\n\n\n\n\n\n\n\n31. 12. 1986\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 384/52\n\n\n\n\n\nCOUNCIL DECISION\nof 22 December 1986\nestablishing a consultation and cooperation procedure in the field of tourism\n(86/664/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 235 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nHaving regard to the opinion of the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas Article 2 of the Treaty provides that the Community shall have as its task in particular to promote throughout the Community a harmonious development of economic activities, a continuous and balanced expansion and closer relations between the States belonging to it; whereas tourism can help to achieve these objectives;\nWhereas the Council resolution of 10 April 1984 on a Community policy on tourism\u00a0(4) emphasizes the need for consultation between the Member States and the Commission on tourism;\nWhereas consultation is a useful means of facilitating cooperation between the Member States and the Commission with a view to achieving the objectives of the Treaty;\nWhereas each Member State should give the other Member States and the Commission the benefit of its experience in the field of tourism;\nWhereas, with a view to consultation in the field of tourism, exchanges of information between the Member States and the Commission should be ensured;\nWhereas such consultation should not duplicate work carried out in other Community bodies,\nHAS DECIDED AS FOLLOWS:\nArticle 1\nAn Advisory Committee on Tourism, hereinafter referred to as the \u2018Committee\u2019, shall be set up under the auspices of the Commission. It shall be made up of members designated by each Member State. Article 2\nThe task of the Committee shall be to facilitate exchanges of information, consultation and, where appropriate, cooperation on tourism, and, in particular, on the provision of services for tourists. Article 3\nFor the purposes referred to in Article 2, each Member State shall send the Commission, once a year, a report on the most significant measures it has taken and, as far as possible, on measures it is considering taking in the provision of services for tourists which could have consequences for travellers from the other Member States. The Commission shall inform the other Member States thereof. Article 4\n1. The Committee, which shall meet at least once a year, shall hold an exchange of views on the basis of the reports referred to in Article 3 in order to facilitate, where necessary, future cooperation amongst the Member States in pursuit of the objectives referred to in Article 2. 2. At the request of the Commission or a Member State, the Committee shall also discuss any matter which may be of interest to a number of Member States. 3. The Committee shall also advise the Commission on any question on which the latter has requested an opinion. 4. The information and consultations provided for in this Decision shall be covered by professional secrecy. Article 5\nThe Committee shall be chaired by the Commission. The Commission shall provide the Committee with secretarial services. Done at Brussels, 22 December 1986. For the Council\n\n\nThe President\n\nG. SHAW\n\n\n\n\n(1)\u00a0\u00a0OJ No C 114, 14. 5. 1986, p. 11. (2)\u00a0\u00a0Opinion delivered on 12 December 1986 (not yet published in the Official Journal). (3)\u00a0\u00a0OJ No C 328, 22. 12. 1986, p. 1. 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"http://publications.europa.eu/resource/cellar/31c9813d-b88d-431b-b55a-d7c72a2be032", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1986378EN. 01002101. xml\n\n\n\n\n\n\n\n\n\n\n31. 12. 1986\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 378/21\n\n\n\n\n\nCOUNCIL REGULATION (EEC) No 4058/86\nof 22 December 1986\nconcerning coordinated action to safeguard free access to cargoes in ocean trades\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 84 (2) thereof,\nHaving regard to the draft Regulation submitted by the Commission,\nHaving regard to the opinion of the European Parliament\u00a0(1),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(2),\nWhereas an increasing number of countries resort to protecting their merchant fleets either unilaterally, through legislation or administrative measures, or through bilateral agreements with other countries;\nWhereas certain countries, by virtue of measures they have adopted or practices they have imposed, have distorted the application of the principle of fair and free competition in shipping trade with one or more Community Member States;\nWhereas in respect of liner trades the United Nations Convention on a Code of Conduct for Liner Conferences, which entered into force on 6 October 1983, grants certain rights to shipping companies which are members of a conference operating a pool;\nWhereas, increasingly, third countries which are contracting parties or signatories to that Convention interpret its provisions in such a way as effectively to expand the rights given under the Convention to their companies both in liner and tramp trades, to the disadvantage of Community companies or companies of other OECD countries, whether conference members or not;\nWhereas in respect of bulk trades there is an increasing tendency on the part of third countries to restrict access to bulk cargoes, which poses a serious threat to the freely competitive environment broadly prevailing in the bulk trades; whereas the Member States affirm their commitment to a freely competitive environment as being an essential feature of the dry and liquid bulk trades and are convinced that the introduction of cargo-sharing in these trades will have a serious effect on the trading interests of all countries by substantially increasing transportation costs;\nWhereas the restriction of access to bulk cargoes would adversely affect the merchant fleets of the Member States, as well as substantially increasing the transportation costs of such cargoes, and would thereby have a serious effect on the trading interests of the Community;\nWhereas the Community should be enabled to provide for coordinated action by Member States if the competitive position of Member States' merchant fleets or Member States' trading interests are adversely affected by cargo reservation to shipping companies of third countries or if required by an international agreement;\nWhereas Council Decision 77/587/EEC\u00a0(3) provides, inter alia, for consultation on the various aspects of developments which have taken place in relations between Member States and third countries in shipping matters;\nWhereas Council Decision 83/573/EEC\u00a0(4) provides, inter alia, for concertation by Member States of any countermeasures they may take in relation to third countries and for the possibility of a decision on the joint application by Member States of appropriate countermeasures forming part of their national legislation;\nWhereas it is necessary to elaborate and refine the machinery provided for in these Decisions with a view to providing for coordinated action by Member States in certain circumstances at the request of a Member State or Member States or on the basis of an international agreement,\nHAS ADOPTED THIS REGULATION:\nArticle 1\nThe procedure provided for by this Regulation shall be applicable when action by a third country or by its agents restricts or threatens to restrict free access by shipping companies of Member States or by ships registered in a Member State in accordance with its legislation to the transport of:\n\n\n\n\n\n\n\u2014\n\n\nliner cargoes in Code trades, except where such action is taken in accordance with the United Nations Convention on a Code of Conduct for Liner Conferences;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nliner cargoes in non-Code trades;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nbulk cargoes and any other cargo on tramp services;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\npassengers;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\npersons or goods to or between offshore installations. This procedure shall be without prejudice to the obligations of the Community and its Member States under international law. Article 2\nFor the purposes of this Regulation:\n\n\n\n\n\n\n\u2014\n\n\n\u2018home-trader\u2019 means a shipping company of a third country which operates a service between its own country and one or more Member States;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n\u2018cross-trader\u2019 means a shipping company of a third country which operates a service between another third country and one or more Member States. Article 3\nCoordinated action may be requested by a Member State. The request shall be made to the Commission; the latter shall make the appropriate recommendations or proposals to the Council within four weeks. The Council, acting in accordance with the voting procedure laid down in Article 84 (2) or the Treaty, may decide on the coordinated action provided for in Article 4. In deciding on coordinated action, the Council shall also take due account of the external trade policy considerations as well as the port interests and the shipping policy considerations of the Member States concerned. Article 4\n1. Coordinated action may consist of:\n\n\n\n\n\n\n(a)\n\n\ndiplomatic representation to the third countries concerned, in particular where their actions threaten to restrict access to trade;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\ncounter-measures directed at the shipping company or companies of the third countries concerned or at the shipping company or companies of other countries which benefit from the action taken by the countries concerned, whether operating as a hometrader or as a cross-trader in Community trades. Those countermeasures may consist, separately or in combination, of:\n\n\n\n\n\n\n(i)\n\n\nthe imposition of an obligation to obtain a permit to load, carry or discharge cargoes; such a permit may be subject to conditions or obligations;\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\nthe imposition of a quota;\n\n\n\n\n\n\n\n\n\n\n(iii)\n\n\nthe imposition of taxes or duties. 2. Diplomatic representations shall be made before countermeasures are taken. Such countermeasures shall be without prejudice to the obligations of the European Community and its Member States under international law, shall take into consideration all the interests concerned and shall neither directly nor indirectly lead to deflection of trade within the Community. Article 5\n1. When deciding upon one or more of the countermeasures referred to in Article 4 (1) (b) the Council shall specify, as appropriate, the following:\n\n\n\n\n\n\n(a)\n\n\nthe developments which have caused countermeasures to be taken;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe trade or range of ports to which the countermeasures are to apply;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe flag or shipping company of the third country whose cargo reservation measures restrict free access to cargoes in the shipping area concerned;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nmaximum volume (percentage, weight in tonnes, containers) or value of cargo which may be loaded or discharged in ports of Member States;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nmaximum number of sailings from and to ports of Member States;\n\n\n\n\n\n\n\n\n\n\n(f)\n\n\namount or percentage and basis of the taxes and duties to be levied and the manner:in which they will be collected;\n\n\n\n\n\n\n\n\n\n\n(g)\n\n\nthe duration of the countermeasures. 2. Where the countermeasures envisaged by paragraph 1 are not provided for by the national legislation of a Member State they may be taken in accordance with the Council Decision referred to in the third paragraph of Article 3 by the Member State concerned on the basis of this Regulation. Article 6\n1. If the Council has not adopted the proposal on coordinated action within a period of two months, Member States may apply national measures unilaterally or as a group, if the situation so requires. 2. However, Member States may, in cases of urgency, take the necessary national measures on a provisional basis, unilaterally or as a group, even within the two-month period referred to in paragraph 1. 3. National measures taken in pursuance of this Article shall be notified immediately to the Commission and to the other Member States. Article 7\nDuring the period in which the countermeasures are to apply, the Member States and the Commission shall consult each other in accordance with the consultation procedure established by Decision 77/587/EEC every three months or earlier if the need arises, in order to discuss the effects of the countermeasures in force. Article 8\nThe procedure provided for by this Regulation may be applied when action by a third country or its agents restricts or threatens to restrict the access of shipping companies of another OECD country where, on a basis of reciprocity, it has been agreed between that country and the Community to resort to coordinated resistance in the case of restriction of access to cargoes. Such country may make a request for coordinated action and join in such coordinated action in accordance with this Regulation. Article 9\nThis Regulation shall enter into force on 1 July 1987. This Regulation shall be binding in its entirety and directly applicable in all Member States. Done at Brussels, 22 December 1986. For the Council\n\n\nThe President\n\nG. SHAW\n\n\n\n\n(1)\u00a0\u00a0OJ No C 255, 15. 10. 1986, p. 169. (2)\u00a0\u00a0OJ No C 344, 31. 12. 1985, p. 31. (3)\u00a0\u00a0OJ No L 239, 17. 9. 1977, p. 23. 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"langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1986-12-18", "subjects": "agricultural statistics,disclosure of information,fruit-growing,utilised agricultural area", "workIds": "celex:31986L0652,oj:JOL_1986_382_R_0016_01", "eurovoc_concepts": ["agricultural statistics", "disclosure of information", "fruit-growing", "utilised agricultural area"], "url": "http://publications.europa.eu/resource/cellar/58079408-7acf-46cc-8e2a-8150dbfecc73", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/a4fa7338-bc35-4e95-b255-6216fcd4e1ff", "title": "Council Directive 86/653/EEC of 18 December 1986 on the coordination of the laws of the Member States relating to self-employed commercial agents", "langIdentifier": "ENG", "mtypes": "fmx4,html,pdfa1b,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1986-12-18", "subjects": "approximation of laws,freedom to provide services,remuneration of work,right of establishment,sales occupation,work contract", "workIds": "celex:31986L0653,oj:JOL_1986_382_R_0017_01", "eurovoc_concepts": ["approximation of laws", "freedom to provide services", "remuneration of work", "right of establishment", "sales occupation", "work contract"], "url": "http://publications.europa.eu/resource/cellar/a4fa7338-bc35-4e95-b255-6216fcd4e1ff", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1986382EN. 01001701. xml\n\n\n\n\n\n\n\n\n\n\n31. 12. 1986\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 382/17\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 18 December 1986\non the coordination of the laws of the Member States relating to self-employed commercial agents\n(86/653/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Articles 57 (2) and 100 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nHaving regard to the opinion of the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas the restrictions on the freedom of establishment and the freedom to provide services in respect of activities of intermediaries in commerce, industry and small craft industries were abolished by Directive 64/224/EEC\u00a0(4);\nWhereas the differences in national laws concerning commercial representation substantially affect the conditions of competition and the carrying-on of that activity within the Community and are detrimental both to the protection available to commercial agents vis-\u00e0-vis their principals and to the security of commercial transactions; whereas moreover those differences are such as to inhibit substantially the conclusion and operation of commercial representation contracts where principal and commercial agent are established in different Member States;\nWhereas trade in goods between Member States should be carried on under conditions which are similar to those of a single market, and this necessitates approximation of the legal systems of the Member States to the extent required for the proper functioning of the common market; whereas in this regard the rules concerning conflict of laws do not, in the matter of commercial representation, remove the inconsistencies referred to above, nor would they even if they were made uniform, and accordingly the proposed harmonization is necessary notwithstanding the existence of those rules;\nWhereas in this regard the legal relationship between commercial agent and principal must be given priority;\nWhereas it is appropriate to be guided by the principles of Article 117 of the Treaty and to maintain improvements already made, when harmonizing the laws of the Member States relating to commercial agents;\nWhereas additional transitional periods should be allowed for certain Member States which have to make a particular effort to adapt their regulations, especially those concerning indemnity for termination of contract between the principal and the commercial agent, to the requirements of this Directive,\nHAS ADOPTED THIS DIRECTIVE:\nCHAPTER I\n\nScope\n\nArticle 1\n1. The harmonization measures prescribed by this Directive shall apply to the laws, regulations and administrative provisions of the Member States governing the relations between commercial agents and their principals. 2. For the purposes of this Directive, \u2018commercial agent\u2019 shall mean a self-employed intermediary who has continuing authority to negotiate the sale or the purchase of goods on behalf of another person, hereinafter called the \u2018principal\u2019, or to negotiate and conclude such transactions on behalf of and in the name of that principal. 3. A commercial agent shall be understood within the meaning of this Directive as not including in particular:\n\n\n\n\n\n\n\u2014\n\n\na person who, in his capacity as an officer, is empowered to enter into commitments binding on a company or association,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\na partner who is lawfully authorized to enter into commitments binding on his partners,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\na receiver, a receiver and manager, a liquidator or a trustee in bankruptcy. Article 2\n1. This Directive shall not apply to:\n\n\n\n\n\n\n\u2014\n\n\ncommercial agents whose activities are unpaid,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\ncommercial agents when they operate on commodity exchanges or in the commodity market, or\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe body known as the Crown Agents for Overseas Governments and Administrations, as set up under the Crown Agents Act 1979 in the United Kingdom, or its subsidiaries. 2. Each of the Member States shall have the right to provide that the Directive shall not apply to those persons whose activities as commercial agents are considered secondary by the law of that Member State. CHAPTER II\n\nRights and obligations\n\nArticle 3\n1. In performing has activities a commercial agent must look after his principal's interests and act dutifully and in good faith. 2. In particular, a commercial agent must:\n\n\n\n\n\n\n(a)\n\n\nmake proper efforts to negotiate and, where appropriate, conclude the transactions he is instructed to take care of;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\ncommunicate to his principal all the necessary information available to him;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\ncomply with reasonable instructions given by his principal. Article 4\n1. In his relations with his commercial agent a principal must act dutifully and in good faith. 2. A principal must in particular:\n\n\n\n\n\n\n(a)\n\n\nprovide his commercial agent with the necessary documentation relating to the goods concerned;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nobtain for his commercial agent the information necessary for the performance of the agency contract, and in particular notify the commercial agent within a reasonable period once he anticipates that the volume of commercial transactions will be significantly lower than that which the commercial agent could normally have expected. 3. A principal must, in addition, inform the commercial agent within a reasonable period of his acceptance, refusal, and of any non-execution of a commercial transaction which the commercial agent has procured for the principal. Article 5\nThe parties may not derogate from the provisions of Articles 3 and 4. CHAPTER III\n\nRemuneration\n\nArticle 6\n1. In the absence of any agreement on this matter between the parties, and without prejudice to the application of the compulsory provisions of the Member States concerning the level of remuneration, a commercial agent shall be entitled to the remuneration that commercial agents appointed for the goods forming the subject of his agency contract are customarily allowed in the place where he carries on his activities. If there is no such customary practice a commercial agent shall be entitled to reasonable remuneration taking into account all the aspects of the transaction. 2. Any part of the remuneration which varies with the number or value of business transactions shall be deemed to be commission within the meaning of this Directive. 3. Articles 7 to 12 shall not apply if the commercial agent is not remunerated wholly or in part by commission. Article 7\n1. A commercial agent shall be entitled to commission on commercial transactions concluded during the period covered by the agency contract:\n\n\n\n\n\n\n(a)\n\n\nwhere the transaction has been concluded as a result of his action; or\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere the transaction is concluded with a third party whom he has previously acquired as a customer for transactions of the same kind. 2. A commercial agent shall also be entitled to commission on transactions concluded during the period covered by the agency contract:\n\n\n\n\n\n\n\u2014\n\n\neither where he is entrusted with a specific geographical area or group of customers,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nor where he has an exclusive right to a specific geographical area or group of customers,\n\n\n\n\nand where the transaction has been entered into with a customer belonging to that area or group. Member States shall include in their legislation one of the possibilities referred to in the above two indents. Article 8\nA commercial agent shall be entitled to commission on commercial transactions concluded after the agency contract has terminated:\n\n\n\n\n\n\n(a)\n\n\nif the transaction is mainly attributable to the commercial agent's efforts during the period covered by the agency contract and if the transaction was entered into within a reasonable period after that contract terminated; or\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nif, in accordance with the conditions mentioned in Article 7, the order of the third party reached the principal or the commercial agent before the agency contract terminated. Article 9\nA commercial agent shall not be entitled to the commission referred to in Article 7, if that commission is payable, pursuant to Article 8, to the previous commercial agent, unless it is equitable because of the circumstances for the commission to be shared between the commercial agents. Article 10\n1. The commission shall become due as soon as and to the extent that one of the following circumstances obtains:\n\n\n\n\n\n\n(a)\n\n\nthe principal has executed the transaction; or\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe principal should, according to his agreement with the third party, have executed the transaction; or\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe third party has executed the transaction. 2. The commission shall become due at the latest when the third party has executed his part of the transaction or should have done so if the principal had executed his part of the transaction, as he should have. 3. The commission shall be paid not later than on the last day of the month following the quarter in which it became due. 4. Agreements to derogate from paragraphs 2 and 3 to the detriment of the commercial agent shall not be permitted. Article 11\n1. The right to commission can be extinguished only if and to the extent that:\n\n\n\n\n\n\n\u2014\n\n\nit is established that the contract between the third party and the principal will not be executed, and\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthat face is due to a reason for which the principal is not to blame. 2. Any commission which the commercial agent has already received shall be refunded if the right to it is extinguished. 3. Agreements to derogate from paragraph 1 to the detriment of the commercial agent shall not be permitted. Article 12\n1. The principal shall supply his commercial agent with a statement of the commission due, not later than the last day of the month following the quarter in which the commission has become due. This statement shall set out the main components used in calculating the amount of commission. 2. A commercial agent shall be entitled to demand that he be provided with all the information, and in particular an extract from the books, which is available to his principal and which he needs in order to check the amount of the commission due to him. 3. Agreements to derogate from paragraphs 1 and 2 to the detriment of the commercial agent shall not be permitted. 4. This Directive shall not conflict with the internal provisions of Member States which recognize the right of a commercial agent to inspect a principal's books. CHAPTER IV\n\nConclusion and termination of the agency contract\n\nArticle 13\n1. Each party shall be entitled to receive from the other on request a signed written document setting out the terms of the agency contract including any terms subsequently agreed. Waiver of this right shall not be permitted. 2. Notwithstanding paragraph 1 a Member State may provide that an agency contract shall not be valid unless evidenced in writing. Article 14\nAn agency contract for a fixed period which continues to be performed by both parties after that period has expired shall be deemed to be converted into an agency contract for an indefinite period. Article 15\n1. Where an agency contract is concluded for an indefinite period either party may terminate it by notice. 2. The period of notice shall be one month for the first year of the contract, two months for the second year commenced, and three months for the third year commenced and subsequent years. The parties may not agree on shorter periods of notice. 3. Member States may fix the period of notice at four months for the fourth year of the contract, five months for the fifth year and six months for the sixth and subsequent years. They may decide that the parties may not agree to shorter periods. 4. If the parties agree on longer periods than those laid down in paragraphs 2 and 3, the period of notice to be observed by the principal must not be shorter than that to be observed by the commercial agent. 5. Unless otherwise agreed by the parties, the end of the period of notice must coincide with the end of a calendar month. 6. The provisions of this Article shall apply to an agency contract for a fixed period where it is converted under Article 14 into an agency contract for an indefinite period, subject to the proviso that the earlier fixed period must be taken into account in the calculation of the period of notice. Article 16\nNothing in this Directive shall affect the application of the law of the Member States where the latter provides for the immediate termination of the agency contract:\n\n\n\n\n\n\n(a)\n\n\nbecause of the failure of one party to carry out all or part of his obligations;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere exceptional circumstances arise. Article 17\n1. Member States shall take the measures necessary to ensure that the commercial agent is, after termination of the agency contract, indemnified in accordance with paragraph 2 or compensated for damage in accordance with paragraph 3. 2. (a)\n\n\nThe commercial agent shall be entitled to an indemnity if and to the extent that:\n\n\n\n\n\n\n\u2014\n\n\nhe has brought the principal new customers or has significantly increased the volume of business with existing customers and the principal continues to derive substantial benefits from the business with such customers, and\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe payment of this indemnity is equitable having regard to all the circumstances and, in particular, the commission lost by the commercial agent on the business transacted with such customers. Member States may provide for such circumstances also to include the application or otherwise of a restraint of trade clause, within the meaning of Article 20;\n\n\n\n\n\n\n\n\n(b)\n\n\nThe amount of the indemnity may not exceed a figure equivalent to an indemnity for one year calculated from the commercial agent's average annual remuneration over the preceding five years and if the contract goes back less than five years the indemnity shall be calculated on the average for the period in question;\n\n\n\n\n(c)\n\n\nThe grant of such an indemnity shall not prevent the commercial agent from seeking damages. 3. The commercial agent shall be entitled to compensation for the damage he suffers as a result of the termination of his relations with the principal. Such damage shall be deemed to occur particularly when the termination takes place in circumstances:\n\n\n\n\n\n\n\u2014\n\n\ndepriving the commercial agent of the commission which proper performance of the agency contract would have procured him whilst providing the principal with substantial benefits linked to the commercial agent's activities,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nand/or which have not enabled the commercial agent to amortize the costs and expenses that he had incurred for the performance of the agency contract on the principal's advice. 4. Entitlement to the indemnity as provided for in paragraph 2 or to compensation for damage as provided for under paragraph 3, shall also arise where the agency contract is terminated as a result of the commercial agent's death. 5. The commercial agent shall lose his entitlement to the indemnity in the instances provided for in paragraph 2 or to compensation for damage in the instances provided for in paragraph 3, if within one year following termination of the contract he has not notified the principal that he intends pursuing his entitlement. 6. The Commission shall submit to the Council, within eight years following the date of notification of this Directive, a report on the implementation of this Article, and shall if necessary submit to it proposals for amendments. Article 18\nThe indemnity or compensation referred to in Article 17 shall not be payable:\n\n\n\n\n\n\n(a)\n\n\nwhere the principal has terminated the agency contract because of default attributable to the commercial agent which would justify immediate termination of the agency contract under national law;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere the commercial agent has terminated the agency contract, unless such termination is justified by circumstances attributable to the principal or on grounds of age, infirmity or illness of the commercial agent in consequence of which he cannot reasonably be required to continue his activities;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhere, with the agreement of the principal, the commercial agent assigns his rights and duties under the agency contract to another person. Article 19\nThe parties may not derogate from Articles 17 and 18 to the detriment of the commercial agent before the agency contract expires. Article 20\n1. For the purposes of this Directive, an agreement restricting the business activities of a commercial agent following termination of the agency contract is hereinafter referred to as a restraint of trade clause. 2. A restraint of trade clause shall be valid only if and to the extent that:\n\n\n\n\n\n\n(a)\n\n\nit is concluded in writing; and\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nit relates to the geographical area or the group of customers and the geographical area entrusted to the commercial agent and to the kind of goods covered by his agency under the contract. 3. A restraint of trade clause shall be valid for not more than two years after termination of the agency contract. 4. This Article shall not affect provisions of national law which impose other restrictions on the validity or enforceability of restraint of trade clauses or which enable the courts to reduce the obligations on the parties resulting from such an agreement. CHAPTER V\n\nGeneral and final provisions\n\nArticle 21\nNothing in this Directive shall require a Member State to provide for the disclosure of information where such disclosure would be contrary to public policy. Article 22\n1. Member States shall bring into force the provisions necessary to comply with this Directive before 1 January 1990. They shall forthwith inform the Commission thereof. Such provisions shall apply at least to contracts concluded after their entry into force. They shall apply to contracts in operation by 1 January 1994 at the latest. 2. As from the notification of this Directive, Member States shall communicate to the Commission the main laws, regulations and administrative provisions which they adopt in the field governed by this Directive. 3. However, with regard to Ireland and the United Kingdom, 1 January 1990 referred to in paragraph 1 shall be replaced by 1 January 1994. With regard to Italy, 1 January 1990 shall be replaced by 1 January 1993 in the case of the obligations deriving from Article 17. Article 23\nThis Directive is addressed to the Member States. Done at Brussels, 18 December 1986. For the Council\n\n\nThe President\n\nM. JOPLING\n\n\n\n\n(1)\u00a0\u00a0OJ No C 13, 18. 1. 1977, p. 2; OJ No C 56, 2. 3. 1979, p. 5. (2)\u00a0\u00a0OJ No C 239, 9. 10. 1978, p. 17. (3)\u00a0\u00a0OJ No C 59, 8. 3. 1978, p. 31. 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"http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1986-12-16", "subjects": "copyright,data protection,electronic component,exclusive distribution agreement,industrial property,photographic industry", "workIds": "celex:31987L0054,oj:JOL_1987_024_R_0036_026", "eurovoc_concepts": ["copyright", "data protection", "electronic component", "exclusive distribution agreement", "industrial property", "photographic industry"], "url": "http://publications.europa.eu/resource/cellar/1bab118e-761b-4900-9e00-7717acccecf7", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1987024EN. 01003601. xml\n\n\n\n\n\n\n\n\n\n\n27. 1. 1987\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 24/36\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 16 December 1986\non the legal protection of topographies of semiconductor products\n(87/54/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community and in particular Article 100 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nHaving regard to the opinion of the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas semiconductor products are playing an increasingly important role in a broad range of industries and semiconductor technology can accordingly be considered as being of fundamental importance for the Community's industrial development;\nWhereas the functions of semiconductor products depend in large part on the topographies of such products and whereas the development of such topographies requires the investment of considerable resources, human, technical and financial, while topographies of such products can be copied at a fraction of the cost needed to develop them independently;\nWhereas topographies of semiconductor products are at present not clearly protected in all Member States by existing legislation and such protection, where it exists, has different attributes;\nWhereas certain existing differences in the legal protection of semiconductor products offered by the laws of the Member States have direct and negative effects on the functioning of the common market as regards semiconductor products and such differences could well become greater as Member States introduce new legislation on this subject;\nWhereas existing differences having such effects need to be removed and new ones having a negative effect on the common market prevented from arising;\nWhereas, in relation to extension of protection to persons outside the Community, Member States should be free to act on their own behalf in so far as Community decisions have not been taken within a limited period of time;\nWhereas the Community's legal framework on the protection of topographies of semiconductor products can, in the first instance, be limited to certain basic principles by provisions specifying whom and what should be protected, the exclusive rights on which protected persons should be able to rely to authorize or prohibit certain acts, exceptions to these rights and for how long the protection should last;\nWhereas other matters can for the time being be decided in accordance with national law, in particular, whether registration or deposit is required as a condition for protection and, subject to an exclusion of licences granted for the sole reason that a certain period of time has elapsed, whether and on what conditions non-voluntary licences may be granted in respect of protected topographies;\nWhereas protection of topographies of semiconductor products in accordance with this Directive should be without prejudice to the application of some other forms of protection;\nWhereas further measures concerning the legal protection of topographies of semiconductor products in the Community can be considered at a later stage, if necessary, while the application of common basic principles by all Member States in accordance with the provisions of this Directive is an urgent necessity,\nHAS ADOPTED THIS DIRECTIVE:\nCHAPTER 1\n\nDefinitions\n\nArticle 1\n1. For the purposes of this Directive:\n\n\n\n\n\n\n(a)\n\n\na \u2018semiconductor product\u2019 shall mean the final or an intermediate form of any product:\n\n\n\n\n\n\n(i)\n\n\nconsisting of a body of material which includes a layer of semiconducting material; and\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\nhaving one or more other layers composed of conducting, insulating or semiconducting material, the layers being arranged in accordance with a predetermined three-dimensional pattern; and\n\n\n\n\n\n\n\n\n\n\n(iii)\n\n\nintended to perform, exclusively or together with other functions, an electronic function;\n\n\n\n\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe \u2018topography\u2019 of a semiconductor product shall mean a series of related images, however fixed or encoded;\n\n\n\n\n\n\n(i)\n\n\nrepresenting the three-dimensional pattern of the layers of which a semiconductor product is composed; and\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\nin which series, each image has the pattern or part of the pattern of a surface of the semiconductor product at any stage of its manufacture;\n\n\n\n\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\n\u2018commercial exploitation\u2019 means the sale, rental, leasing or any other method of commercial distribution, or an offer for these purposes. However, for the purposes of Articles 3 (4), 4 (1), 7 (1), (3) and (4) \u2018commercial exploitation\u2019 shall not include exploitation under conditions of confidentiality to the extent that no further distribution to third parties occurs, except where exploitation of a topography takes place under conditions of confidentiality required by a measure taken in conformity with Article 223 (1) (b) of the Treaty. 2. The Council acting by qualified majority on a proposal from the Commission, may amend paragraph 1 (a) (i) and (ii) in order to adapt these provisions in the light of technical progress. CHAPTER 2\n\nProtection of topographies of semiconductor products\n\nArticle 2\n1. Member States shall protect the topographies of semiconductor products by adopting legislative provisions conferring exclusive rights in accordance with the provisions of the Directive. 2. The topography of a semiconductor product shall be protected in so far as it satisfies the conditions that it is the result of its creator's own intellectual effort and is not commonplace in the semiconductor industry. Where the topography of a semiconductor product consists of elements that are commonplace in the semiconductor industry, it shall be protected only to the extent that the combination of such elements, taken as a whole, fulfils the abovementioned conditions. Article 3\n1. Subject to paragraphs 2 to 5, the right to protection shall apply in favour of persons who are the creators of the topographies of semiconductor products. 2. Member States may provide that,\n\n\n\n\n\n\n(a)\n\n\nwhere a topography is created in the course of the creator's employment, the right to protection shall apply in favour of the creator's employer unless the terms of employment provide to the contrary;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere a topography is created under a contract other than a contract of employment, the right to protection shall apply in favour of a party to the contract by whom the topography has been commissioned, unless the contract provides to the contrary. 3. (a)\n\n\nAs regards the persons referred to in paragraph 1, the right to protection shall apply in favour of natural persons who are nationals of a Member State or who have their habitual residence on the territory of a Member State. (b)\n\n\nWhere Member States make provision in accordance with paragraph 2, the right to protection shall apply in favour of:\n\n\n\n\n\n\n(i)\n\n\nnatural persons who are nationals of a Member State or who have their habitual residence on the territory of a Member State;\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\ncompanies or other legal persons which have a real and effective industrial or commercial establishment on the territory of a Member State. 4. Where no right to protection exists in accordance with other provisions of this Article, the right to protection shall also apply in favour of the persons referred to in paragraph 3 (b) (i) and (ii) who:\n\n\n\n\n\n\n(a)\n\n\nfirst commercially exploit within a Member State a topography which has not yet been exploited commercially anywhere in the world; and\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nhave been exclusively authorized to exploit commercially the topography throughout the Community by the person entitled to dispose of it. 5. The right to protection shall also apply in favour of the successors in title of the persons mentioned in paragraphs 1 to 4. 6. Subject to paragraph 7, Member States may negotiate and conclude agreements or understandings with third States and multilateral Conventions concerning the legal protection of topographies of semiconductor products whilst respecting Community law and in particular the rules laid down in this Directive. 7. Member States may enter into negotiations which third States with a view to extending the right to protection to persons who do not benefit from the right to protection according to the provisions of this Directive. Member States who enter into such negotiations shall inform the Commission thereof. When a Member State wishes to extend protection to persons who otherwise do not benefit from the right to protection according to the provisions of this Directive or to conclude an agreement or understanding on the extension of protection with a non-Member State it shall notify the Commission. The Commission shall inform the other Member States thereof. The Member State shall hold the extension of protection or the conclusion of the agreement or understanding in abeyance for one month from the date on which it notifies the Commission. However, if within that period the Commission notifies the Member State concerned of its intention to submit a proposal to the Council for all Member States to extend protection in respect of the persons or non-Member State concerned, the Member State shall hold the extension of protection or the conclusion of the agreement or undestanding in abeyance for a period of two months from the date of the notification by the Member State. Where, before the end of this two-month period, the Commission submits such a proposal to the Council, the Member State shall hold the extension of protection or the conclusion of the agreement or understanding in abeyance for a further period of four months from the date on which the proposal was submitted. In the absence of a Commission notification or proposal or a Council decision within the time limits prescribed above, the Member State may extend protection or conclude the agreement or understanding. A proposal by the Commission to extend protection, whether or not it is made following a notification by a Member State in accordance with the preceding paragraphs shall be adopted by the Council acting by qualified majority. A Decision of the Council on the basis of a Commission proposal shall not prevent a Member State from extending protection to persons, in addition to those to benefit from protection in all Member States, who were included in the envisaged extension, agreement or understanding as notified, unless the Council acting by qualified majority has decided otherwise. 8. Commission proposals and Council decisions pursuant to paragraph 7 shall be published for information in the Official Journal of the European Communities. Article 4\n1. Member States may provide that the exclusive rights conferred in conformity with Article 2 shall not come into existence or shall no longer apply to the topography of a semiconductor product unless an application for registration in due form has been filed with a public authority within two years of its first commercial exploitation. Member States may require in addition to such registration that material identifying or exemplifying the topography or any combination thereof has been deposited with a public authority, as well as a statement as to the date of first commercial exploitation of the topography where it precedes the date of the applciation for registration. 2. Member States shall ensure that material deposited in conformity with paragraph 1 is not made available to the public where it is a trade secret. This provision shall be without prejudice to the disclosure of such material pursuant to an order of a court or other competent authority to persons involved in litigation concerning the validity or infringement of the excusive rights referred to in Article 2. 3. Member States may require that transfers of rights in protected topographies be registered. 4. Member States may subject registration and deposit in accordance with paragraphs 1 and 3 to the payment of fees not exceeding their administrative costs. 5. Conditions prescribing the fulfilment of additional formalities for obtaining or maintaining protection shall not be admitted. 6. Member States which require registration shall provide for legal remedies in favour of a person having the right to protection in accordance with the provisions of this Directive who can prove that another person has applied for or obtained the registration of a topography without his authorization. Article 5\n1. The exclusive rights referred to in Article 2 shall include the rights to authorize or prohibit any of the following acts:\n\n\n\n\n\n\n(a)\n\n\nreproduction of a topography in so far as it is protected under Article 2 (2);\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\ncommercial exploitation or the importation for that purpose of a topography or of a semiconductor product manufactured by using the topography. 2. Notwithstanding paragraph 1, a Member State pay permit the reproduction of a topography privately for non commercial aims. 3. The exclusive rights referred to in paragraph 1 (a) shall not apply to reproduction for the purpose of analyzing, evaluating or teaching the concepts, processes, systems or techniques embodied in the topography or the topography itself. 4. The exclusive rights referred to in paragraph 1 shall not extend to any such act in relation to a topography meeting the requirements of Article 2 (2) and created on the basis of an analysis and evaluation of another topography, carried out in conformity with paragraph 3. 5. The exclusive rights to authorize or prohibit the acts specified in paragraph 1 (b) shall not apply to any such act committed after the topography or the semiconductor product has been put on the market in a Member State by the person entitled to authorize its marketing or with his consent. 6. A person who, when he acquires a semiconductor product, does not know, or has no reasonable grounds to believe, that the product is protected by an exclusive right conferred by a Member State in conformity with this Directive shall not be prevented from commercially exploiting that product. However, for acts committed after that person knows, or has reasonable grounds to believe, that the semiconductor product is so protected, Member States shall ensure that on the demand of the rightholder a tribunal may require, in accordance with the provisions of the national law applicable, the payment of adequate remuneration. 7. The provisions of paragraph 6 shall apply to the successors in title of the person referred to in the first sentence of that paragraph. Article 6\nMember States shall not subject the exclusive rights referred to in Article 2 to licences granted, for the sole reason that a certain period of time has elapsed, automatically, and by operation of law. Article 7\n1. Member States shall provide that the exclusive rights referred to in Article 2 shall come into existence:\n\n\n\n\n\n\n(a)\n\n\nwhere registration is the condition for the coming into existence of the exclusive rights in accordance with Article 4, on the earlier of the following dates:\n\n\n\n\n\n\n(i)\n\n\nthe date when the topography is first commercially exploited anywhere in the world;\n\n\n\n\n\n\n\n\n\n\n(ii)\n\n\nthe date when an application or registration has been filed in due form; or\n\n\n\n\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhen the topography is first commercially exploited anywhere in the world; or\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhen the topography is first fixed or encoded. 2. Where the exclusive rights come into existence in accordance with paragraph 1 (a) or (b), the Member States shall provide, for the period prior to those rights coming into existence, legal remedies in favour of a person having the right to protection in accordance with the provisions of this Directive who can prove that another person has fraudulently reproduced or commercially exploited or imported for that purpose a topography. This paragraph shall be without prejudice to legal remedies made available to enforce the exclusive rights conferred in conformity with Article 2. 3. The exclusive rights shall come to an end 10 years from the end of the calendar year in which the topography is first commercially exploited anywhere in the world or, where registration is a condition for the coming into existence or continuing application of the exclusive rights, 10 years from the earlier of the following dates:\n\n\n\n\n\n\n(a)\n\n\nthe end of the calendar year in which the topography is first commercially exploited anywhere in the world;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe end of the calendar year in which the application for registration has been filed in due form. 4. Where a topography has not been commercially exploited anywhere in the world within a period of 15 years from its first fixation or encoding, any exclusive rights in existence pursuant to paragraph 1 shall come to an end and no new exclusive rights shall come into existence unless an application for registration in due form has been filed within that period in those Member States where registration is a condition for the coming into existence or continuing application of the exclusive rights. Article 8\nThe protection granted to the topographies of semiconductor products in accordance with Article 2 shall not extend to any concept, process, system, technique or encoded information embodied in the topography other than the topography itself. Article 9\nWhere the legislation of Member States provides that semiconductor products manufactured using protected topographies may carry an indication, the indication to be used shall be a capital T as follows: T, \u2018T\u2019 [T], , T* or. CHAPTER 3\n\nContinued application of other legal provisions\n\nArticle 10\n1. The provisions of this Directive shall be without prejudice to legal provisions concerning patent and utility model rights. 2. The provisions of this Directive shall be without prejudice:\n\n\n\n\n\n\n(a)\n\n\nto rights conferred by the Member States in fulfilment of their obligations under international agreements, including provisions extending such rights to nationals of, or residents in, the territory of the Member State concerned;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nto the law of copyright in Member States, restricting the reproduction of drawing or other artistic representations of topographies by copying them in two dimensions. 3. Protection granted by national law to topographies of semiconductor products fixed or encoded before the entry into force of the national provisions enacting the Directive, but no later than the date set out in Article 11 (1), shall not be affected by the provisions of this Directive. CHAPTER 4\n\nFinal provisions\n\nArticle 11\n1. Member States shall bring into force the laws, regulations or administrative provisions necessary to comply with this Directive by 7 November 1987. 2. Member States shall ensure that they communicate to the Commission the texts of the main provisions of national law which they adopt in the field covered by this Directive. Article 12\nThis Directive is addressed to the Member States. Done at Brussels, 16 December 1986. For the Council\n\n\nThe President\n\nG. HOWE\n\n\n\n\n(1)\u00a0\u00a0OJ No C 360, 31. 12. 1985, p. 14. (2)\u00a0\u00a0OJ No C 255, 13. 10. 1986, p. 249. 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